VB
Valley Bank
New York, NY, USA
Feb 17, 2026
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Responsibilities include but are not limited to:
Design and execute on comprehensive control and testing framework pursuant to SEC Rule 206(4)-7; assist with testing framework pursuant to FINRA 3120.
Prepare Form ADV materials.
Prepare annual 206(4)-7 report to senior management/Board of Directors.
Establish and maintain compliance programs for business line and drive a culture of compliance within the firm.
Identify and assess the firm's compliance risks and perform the annual risk assessment.
Conduct, no less than annually, a compliance meeting wherein compliance matters relevant to all supervised persons' activities are discussed.
Conduct and document ongoing compliance training for all employees.
Monitor client communication notices, including correspondence and email.
Review and respond to client complaints.
Review and approve contracts, disclosure documentation and marketing materials.
Monitor supervised persons' securities transactions and personal...
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